I closed 1 lot(s) $MSFT 20241213 440.0 CALL$ ,Closed this short call of the diagonal spread to secure the profits. Plan to open a new position when the price starts to crawl back up.
I opened 1.0 unit(s) $SPY VERTICAL 241213 CALL 591.0/CALL 600.0$ ,The price have been moving higher each day. So, I have opened this bull call spread in view that the trend continues for the coming days.
I opened 1.0 unit(s) $META VERTICAL 250117 CALL 560.0/CALL 580.0$ ,I think META has reached a support level in the daily chart and is poise to move up. Entered another bull call spread position.
I opened 1.0 unit(s) $GLD VERTICAL 241220 CALL 245.0/CALL 250.0$ ,I have entered GLD, having the outlook that the global conflict may attract investors to put Their money in gold.
I closed 1.0 unit(s) $CELH CUSTOM 241122 PUT 30.0/CALL 40.0/CALL 42.0$ ,Decided to close this and rolled it to a longer DTE. Didn't want to acquire shares now as I want to standby the capital for other opportunities
I opened $Palo Alto Networks(PANW)$ ,Just buy 1 share before earnings. If earnings is good, I may increase my position again. I think Palo Alto is a great company, have heard companies in SG deploys them.